Compliance Officer
1 week ago
About the Company:
MortgagePros LLC is seeking a dedicated and detail-oriented Compliance Officer to join our team immediately. The Compliance Officer will be responsible for ensuring that all company processes, policies, and practices comply with relevant laws, regulations, and internal policies, specifically within the mortgage industry. The ideal candidate will have a strong understanding of mortgage lending laws, regulatory compliance, and risk management. This is a full-time role requiring the ability to work closely with various departments to implement compliance initiatives.
About the Role:
The Compliance Officer will be responsible for ensuring that the company complies with all federal, state, and local regulations, including mortgage lending laws (e.g., RESPA, TILA, HMDA, FCRA). Develop, update, and enforce internal compliance policies and procedures to mitigate risks and ensure alignment with current regulations. Regularly conduct internal audits and assessments to identify compliance risks and implement corrective actions where necessary. Provide compliance training and updates to employees, ensuring that all staff members are informed of regulatory changes and compliance requirements. Prepare and submit reports to regulatory agencies as required, and maintain accurate compliance documentation. Collaborate with other departments to identify and mitigate operational and compliance risks. Investigate any compliance breaches, manage the resolution process, and implement measures to prevent future occurrences. Act as the primary point of contact with regulatory agencies and external auditors during compliance reviews and examinations. Familiarity and high-level knowledge of relevant and specified disclosures.
Responsibilities:
- Regulatory Compliance: Ensure that the company complies with all federal, state, and local regulations, including mortgage lending laws (e.g., RESPA, TILA, HMDA, FCRA).
- Policy Development: Develop, update, and enforce internal compliance policies and procedures to mitigate risks and ensure alignment with current regulations.
- Monitoring & Auditing: Regularly conduct internal audits and assessments to identify compliance risks and implement corrective actions where necessary.
- Training: Provide compliance training and updates to employees, ensuring that all staff members are informed of regulatory changes and compliance requirements.
- Reporting: Prepare and submit reports to regulatory agencies as required, and maintain accurate compliance documentation.
- Risk Management: Collaborate with other departments to identify and mitigate operational and compliance risks.
- Incident Investigation: Investigate any compliance breaches, manage the resolution process, and implement measures to prevent future occurrences.
- Liaison with Regulators: Act as the primary point of contact with regulatory agencies and external auditors during compliance reviews and examinations.
Qualifications:
Education: Bachelor’s degree in Business, Law, Finance, or a related field. Master’s degree or professional certification is a plus.
Required Skills:
- Excellent analytical and problem-solving skills.
- Strong attention to detail and organizational abilities.
- Exceptional communication and interpersonal skills.
- Ability to work independently and manage multiple tasks effectively.
Pay range and compensation package:
Competitive salary and performance-based bonuses. Health, dental, and vision insurance. 401(k) Paid time off and holidays. Professional development opportunities.
Equal Opportunity Statement:
MortgagePros LLC is an equal opportunity employer.
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